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- ...e: Full time Departments: Risk Management Department Job Functions:... ...lity Develop and maintain credit risk internal credit rating,... ...expected credit loss, credit portfolio and Fin-tech models Perfo... ...el related data analyses and MIS reporting Coordinate with...
- ...upport the team in performing credit assessment in accordance with... ... Assist to identify credit risk inherent in credit proposals ... ...control and review on clients portfolio Keep abreast of the prevai... ...y requirements of credit risk management Requirements: Bachelor ...
- ...wing position. Responsibilities: Design and carry out credit risk stress-testing programs for SDST, CRST, ICCAP, RST and Scenar... ...quirements: ~ University graduate, major in Finance, Risk Management or related disciplines ~3 years of relevant experience, as ...
HKD 40k - HKD 80k /月
Portfolio Risk Manager/Senior Manager, Large Asset Management Company Client Details Join a leading asset management firm where HK as t... ... analysis into fund returns, attribution, and volatility Credit Risk Assessment: Evaluate credit ratings and issuer fundame...- ...lowing position. Responsibilities: Perform credit monitoring and review in commercial credit and risk management, ensure compliance with internal policies and relevant regulatory requirements Manage portfolio review, assess Expected Credit Loss (ECL), identif...
- Responsibilities Perform day-to-day risk control on managed portfolio,covering products include Fixed Income、Equity、Derivatives、ISDA、GMRA、MCA... ... institution; A solid understanding of market risk and credit risk parameters and financial product knowledge with qua...
- ... model validation on wholesale credit portfolio and banking products, such as ... ...ry-driven Stress Test, Climate Risk Stress Test, quantitative anal... ...S9 analysis Prepare regular MIS reports on bank-wide credit portfolio to senior management and relevant committees Pre...
- ...es to businesses in the SME market. From expanding overseas to managing the cash and trade flows of an established enterprise, the Bus... ...n our team as an Assistant Vice President/ Assistant Manager, Portfolio Management . Principal Responsibilities In this role...
- ...nsactions comply with the Bank’s market risk management and product risk rating policies and re... ...including market, product, counterparty credit risks To formulate, develop and main... ... To perform Trading Book and Investment Portfolio stress tests, as well as Bank-wide and ...
HKD 40k - HKD 80k /月
Manager, Credit Analyst - SME Fintech Company 客户简介 Our client is a well-established financial institution headquartered in China, wi... ...oposals, structuring complex transactions, and ensuring sound risk management practices. Perform credit evaluation and risk a...- Assistant Relationship Manager Responsibilities: Assist in maintaining credit lines provided to clients; Handle account opening, account maintenance an... ...ers and develop new business; Facilitate credit risk control. Assist Relationship Managers to market...
- Assistant Manager - Risk Management, Native Korean Speaker Client Details Our client is an esteemed Korean bank in Hong Kong is loo... ...e for overseeing all aspects of risk management. Assessing credit risk associated with diverse financial transactions Managi...
- ... insurance, securities, trust and asset management sectors. Serving customers with whole-h... ...tomers. Responsibilities: Monitor portfolio asset quality on an ongoing basis and p... ...ity management Manage provisions for credit risk project by applying IFRS 9 accounting s...
- ...ilites Ensure forward looking credit analysis and make recommendation... ...y assets in the book. Perform risk/return analysis and optimise profits of portfolios wherever applicable. Recommendat... ...umptions. Actively support in managing the Banking loan portfolio retur...
- ... investment strategies and hedging the bank’s interest rate risks. This role plays a key part in meeting the bank’s return ta... ...n the organisation. Key Responsibilities Pro-actively manage the bond portfolio with a primary focus of liquidity and secondary objective o...
- ... for an experienced Valuation Risk Controller to join their team... ...ice Verification (IPV) across credit trading products including bo... ...orating with traders and risk managers to address valuation discrepa... ...nd assess their impact on the portfolio and the firm Supporting au...
HKD 50k - HKD 100k /月
Senior Manager, Credit Documentation - Top Tier Chinese Bank Senior Manager, Credit Documentation - Top Tier Chinese Bank 客户简介 Join ou... ...rmation delivery. Reporting & Process Optimization: Prepare MIS reports and contribute to ongoing process reviews, updates to ...- ...oin us in the following position: Manager, Credit Control (Experience in handling debt re... ...c accounts. Your main goal is to reduce risks and boost the company's recovery effort... ...hicle, Equipment Financing and / or SME portfolios and loan restructure implementation is ...
- Head of Risk Management (IT/Cyber Risk) - Banking Industry Client Details The Head of Risk Management will lead the enterprise-wid... ...ility to lead cross-functional teams and manage complex risk portfolios. Excellent communication skills to engage with senior sta...
- ...ption: -Develop, implement and review credit strategies to facilitate the credit p... ...onduct credit approvals on all credit risk control measures to prevent credit lo... ...orts to monitor the unsecured lending portfolio quality to Management; and -Coordinate with IT department t...
- Responsibilities Assist to review, maintain and enhance Risk Management Policy & Guideline, monitor its effective implementation. Closely work with internal stakeholders to support business growth. Assist to develop and improve risk quantification methodolog...
- ... on this career opportunity. Responsibilities: Perform credit checking on financial figures, CCRA, TU and bank statements for... ...l lending and/or retail credit lending ~ Prior experiences in managing SME credit applications an advantage ~ Good communication ski...
- ...t Hang Seng's Retail Distribution focuses on personal wealth management and financial services. Our one-stop wealth management initiati... ...r professional to join our branch network as Assistant Business Risk Management Manager. Principal responsibilities Support th...
- ...rewards that will take you further. Hang Seng Investment Management Limited (HSVM) Established in 1993, Hang Seng Investment Ma... ... (including a series of ETFs and retail funds) and investment portfolios for institutional and private clients. As a leading home-grow...
HKD 25k - HKD 30k /月
This role as a Credit Control professional offers an exciting opportunity to manage and optimize the credit and collections process within the Financial Services ind... ...nce with regulations. Proactively identifying risks and recommending solutions to minimize bad debts...- ...s including advising across all relevant Risk Types (reputational risk, traded/market,... ...ational, technology, cyber security, and credit risk). Lead provision of DA risk spec... ...and maintain all elements of the DA Risk Management Approach (DARMA) which sets out the appr...
- ...source investment and insurance products from service providers, manage the product due diligence and onboarding, as well as client jour... ...seeking a high caliber professional to join our team as Business Risk and Control Manager. Principal Responsibilities Participat...
- ...ibilities: Facilitate new and renewal credit applications for corporate and SME custo... ...business analysis Evaluate customer's risk profile and give independent recommendat... ...n Business Administration, Finance, Risk Management or related disciplines Holder of ECF-...
- ...ties Review business proposals for regulatory compliance and risk control Monitor client accounts and trading activities for u... ...nvestigate risk alerts, conduct analysis and escalate issues to management, risk team, legal and compliance team Review customer accoun...
- ...rimary role is in traditional credit analysis: Credit Research... ...stment and trading ideas. Portfolio Monitoring: Proactively moni... ...ing, market events, and other risk factors. Alert the team promp... ...market intelligence. Risk Management: Identify, assess, and repor...
